Could you answer the following questions about the balances returned by your V3.1 API:
1. What types of transactions go into the InterimBooked balance returned on the Balances endpoint?
2. Is the balance returned after each transaction the closing one (i.e. the balance directly after the transaction has been applied)?
3. Are the transactions returned in the API in the same order that they are displayed on the online portal and on the Mobile Banking app?